Capture Crypto's Hidden $2.3M Daily Opportunity

ObeliskCore provides institutional-grade MEV strategies that generate consistent returns through market structure advantages, not speculation.

Free Strategy Consultation
Backtested Annualized Returns: 18.2%
Max Drawdown: 12.4%
*Past performance is not indicative of future results. Backtested using real trade conditions (2022-2024).*

Every day, cryptocurrency markets create millions of dollars in profit opportunities that most people completely miss

80% of cryptocurrency investors are reactive. They buy when prices are high, sell when prices are low, and completely miss the consistent money-making opportunities that happen right in front of them every single day.

Why Others Miss It

Speed & Complexity

Most MEV opportunities last only seconds or minutes, requiring rapid identification and execution that human traders simply cannot match. Our sophisticated AI systems simply identify these opportunities in 0.3 seconds on average using our proprietary co-located infrastructure directly connected to validator nodes on Ethereum, Solana, and Avalanche networks.

Technical Barrier

Capturing MEV opportunities requires deep understanding of blockchain technology, smart contract interactions, gas optimization strategies, and real-time market data analysis.

Infrastructure Hurdle

Requires dedicated servers, multiple blockchain connections, and real-time monitoring systems that most investors don't have access to.

Our Edge

Speed

Co-located infrastructure & direct validator connections

🧠

Intelligence

Proprietary AI for opportunity identification (0.3s avg)

🎯

Execution

Advanced gas optimization and multi-venue execution

Our Three Core Strategies

Cross-Chain Arbitrage

Cross-Chain Arbitrage

The Precision Engine

Success Rate: 82%
Avg. Monthly Return: 1.8%

Exploiting price differences across blockchain networks with sub-100ms execution advantage

Liquidation Hunting

Liquidation Hunting

The Strategic Predator

Success Rate: 78%
Avg. Monthly Return: 3.2%

Profiting from over-leveraged positions across DeFi protocols

Gas Optimization

Gas Optimization

The Silent Multiplier

Avg. Cost Reduction: 32%
Annual Return Boost: 12-18%

Strategic transaction fee bidding for maximum execution efficiency

View Detailed Backtested Performance

Consistent Performance Across All Market Cycles

Performance across market cycles

Conservative Portfolio

Annual Return
15.8%
Max Drawdown
9.1%
Sharpe Ratio
1.0

Balanced Portfolio

Annual Return
18.2%
Max Drawdown
12.4%
Sharpe Ratio
1.3

Aggressive Portfolio

Annual Return
22.7%
Max Drawdown
18.2%
Sharpe Ratio
1.6
Risk-Adjusted Returns: Our risk management has delivered maximum drawdowns between 9.1% and 18.2%, with Sharpe ratios ranging from 1.0 to 1.6. These metrics demonstrate our focus on protecting capital while generating returns.

Your Capital is Protected by Institutional-Grade Safeguards

Competition Risk

We maintain our statistical edge through continuous research and development, sub-100ms latency advantages from co-located validator connections, and gas optimization algorithms.

Technology Risk

We use multi-layered code audits, circuit breakers that automatically halt trading during anomalies, redundant systems across multiple data centers, and comprehensive insurance coverage.

Market Risk

We diversify across different strategy types, limit position sizes to 0.5–2% of capital, and spread exposure across multiple platforms and time periods.

Execution Risk

We use multiple execution venues, realtime monitoring systems, automatic position limits, and continuous algorithm optimization based on live results.

Regulatory Risk

We operate in clear regulatory jurisdictions, engage regularly with legal counsel, maintain compliance across multiple jurisdictions, and adapt strategies to changing regulatory requirements.

Multi-Layered Protection

Position size limits (0.5-2%), real-time monitoring, automatic stop-losses

Operational Security

Segregated client assets, multiple custody providers, comprehensive insurance

Non-Custodial Model

We never hold your funds. You maintain full control of your capital and keys.

Validate Our Performance With Minimal Risk

Path A: The Performance Pilot

For: Investors wanting live validation

How:

Start with $5k-$50k. We manage it for 3 months with reduced/no fees

Get:

Live dashboard, on-chain track record with your capital

Start My Performance Pilot

Path B: The Data Audit

For: Sophisticated teams wanting to verify our alpha

How:

Subscribe to our real-time MEV opportunity feed

Get:

Scored opportunities, historical data, no capital risk

Start My 14-Day Free Trial

Verifiable Performance, Not Just Promises

Public Performance Addresses

We will provide public, anonymized Ethereum/Solana addresses demonstrating actual strategy performance over time

Third-Party Verification

Independent performance attestation through reputable blockchain analysis firms

Monthly Transparency Reports

Detailed breakdowns of strategy performance, gas costs, and net returns

Real-Time Monitoring Access

Secure dashboard access for serious investors to track live strategy execution

Activated Immediately

We are implementing this transparency commitment immediately through our new Hybrid Validation Paths. Clients on our Performance Pilot and Data Audit paths receive: Live Performance Dashboards, Opportunity Feed Access, Monthly Transparency Reports. This allows you to verify our capabilities with minimal risk before making larger allocations.

Frequently Asked Questions

What kind of returns can I realistically expect? +

Our backtested performance shows Conservative: 15.8% annual return, 9.1% max drawdown; Balanced: 18.2% annual return, 12.4% max drawdown; Aggressive: 22.7% annual return, 18.2% max drawdown. These are based on real trade conditions from 2022-2024, but past performance doesn't guarantee future results.

How much money do I need to get started? +

For our Performance Pilot path, minimum is $5,000. For our full institutional service, we work with investors from $50,000 to over $1,000,000. We offer different portfolio allocations based on your risk tolerance and capital requirements.

Can I see how the strategies work before committing significant capital? +

Yes! Our Data Audit path allows you to access our real-time MEV opportunity feed with no capital risk. We also offer paper trading options and our Performance Pilot lets you start with as little as $5,000 to validate our live performance.

How do MEV strategies perform during market downturns? +

Our strategies have demonstrated consistent performance across different market conditions - bull, bear, sideways, and high volatility. MEV opportunities often increase during market stress as inefficiencies become more pronounced, making our strategies potentially counter-cyclical to broader market movements.

What happens if regulatory changes affect MEV strategies? +

We operate in clear regulatory jurisdictions and engage regularly with legal counsel. We maintain compliance across multiple jurisdictions and adapt strategies to changing regulatory requirements. Our team continuously monitors regulatory developments and adjusts our approach as needed.

How do you handle competition from other MEV strategies? +

We maintain our statistical edge through continuous research and development, sub-100ms latency advantages from co-located validator connections, and advanced gas optimization algorithms. We continuously monitor competitor activity and adapt our strategies accordingly.

What are the main risks I should be aware of? +

Key risks include technology risk (system failures), execution risk (failed transactions), market risk (volatility), competition risk (other MEV strategies), and regulatory risk. We implement multi-layered protection including position limits (0.5-2%), real-time monitoring, and circuit breakers.

What are your fees? +

For institutional services, we charge 1-2% AUM management fees plus 15-20% performance fees. For our Data Audit path, pricing varies based on data access level. Our Performance Pilot has reduced or no fees during the initial 3-month period.

Ready to Capture Crypto Alpha?

Consistent returns, institutional risk management, full transparency